UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: September 30, 2000
Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.): [ ] is a restatement.
[ ] adds new holdings entries.
Institutional Investment Management Filing this Report:
Name: Mainstream Investment Advisers, LLC
Address: 101 West Spring Street
Fourth Floor
New Albany, IN 47150
13F File Number: 28-6888
The institutional investment manager filing this report and the
person by whom it is signed hereby represent that the person
signing the report is authorized to submit it, that all
information contained herein is true, correct and complete, and
that it is understood that all required items, statements,
schedules, lists and tables, are considered integral parts of
this form.
Person Signing this Report on Behalf of Reporting Manager:
Name: Diane J. Hulls
Title: Director
Phone: 812-981-7053
Signature, Place, and Date of Signing:
Diane J. Hulls New Albany, Indiana October 11, 2000
Report Type (Check only one.):
[x ] 13F HOLDINGS REPORT.
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of other Managers Reporting for this Manager:
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.
<PAGE>
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 125
Form 13F Information Table Value Total: $94,939,078
<PAGE>
<TABLE>
<CAPTION> FAIR
TITLE MARKET SHARES OF
OF CUSIP VALUE PRINCIPAL SOLE SHARED OTHER SOLE SHARED NONE
NAME OF ISSUER CLASS NUMBER (x$1000) AMOUNT (A) (B) (C) MANAGERS (A) (B) (C)
-------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C>
ADAC LABORATORIES NEW OTC IS 005313200 312 15000 N X 230 15000
AMEREN CORP COMMON 023608102 837 20000 N X 230 20000
AETNA INC COMMON 008117103 2032 35000 N X 230 35000
AMERICAN FINL GROUP INC COMMON 025932104 621 26800 N X 230 26800
AMERADA HESS CORP COMMON 023551104 335 5000 N X 230 5000
APRIA HEALTHCARE GROUP INC COMMON 037933108 468 33600 N X 230 33600
ALCAN ALUM LTD COMMON 013716105 434 15000 N X 230 15000
AMR CORP DEL -W/RTS TO PUR COMMON 001765106 1634 50000 N X 230 50000
***ALBERTA ENERGY CO LTD COMMON 012873105 416 10000 N X 230 10000
ARIBA INC OTC IS 04033V104 2149 15000 N X 230 15000
ASHLAND INC COMMON 044204105 1347 40000 N X 230 40000
ALLEGHENY TECHNOLOGIES INC COMMON 01741R102 1178 65000 N X 230 65000
ATS MEDICAL INC OTC IS 002083103 527 35000 N X 230 35000
AMERICAN EXPRESS CO COMMON 025816109 911 15000 N X 230 15000
BAXTER INTERNATIONAL INC COMMON 071813109 1197 15000 N X 230 15000
BAKER HUGHES INC COMMON 057224107 1299 35000 N X 230 35000
***BROKEN HILL PROPRIETARY COMMON 112169602 1537 75000 N X 230 75000
***BUSINESS OBJECTS SA PREFER 12328X107 1131 10000 N X 230 10000
BOWATER INC COMMON 102183100 697 15000 N X 230 15000
BARR LABORATORIES INC COMMON 068306109 1326 20000 N X 230 20000
ANHEUSER BUSCH COMPANIES I COMMON 035229103 423 10000 N X 230 10000
***CHECK POINT SOFTWARE OTC IS M22465104 788 5000 N X 230 5000
COMINCO LTD COMMON 200435105 274 20000 N X 230 20000
COMERICA INC COMMON 200340107 1461 25000 N X 230 25000
CABOT OIL & GAS CORP -CL A COMMON 127097103 815 40000 N X 230 40000
CAPSTONE TURBINE CORP OTC IS 14067D102 1039 15000 N X 230 15000
CABLETRON SYSTEMS INC COMMON 126920107 734 25000 N X 230 25000
CSG SYSTEMS INTL INC OTC IS 126349109 725 25000 N X 230 25000
COVENTRY HEALTH CARE INC OTC IS 222862104 227 15000 N X 230 15000
DELTA AIR LINES INC COMMON 247361108 1331 30000 N X 230 30000
QUEST DIAGNOSTICS INC COMMON 74834L100 1148 10000 N X 230 10000
ECHOSTAR COMMUNICATIONS CO OTC IS 278762109 264 5000 N X 230 5000
DOLLAR TREE STORES INC OTC IS 256747106 325 8000 N X 230 8000
DONNELLEY R R & SONS CO COMMON 257867101 983 40000 N X 230 40000
DTE ENERGY CO COMMON 233331107 383 10000 N X 230 10000
BRINKER INTERNATIONAL INC COMMON 109641100 904 30000 N X 230 30000
EQUIFAX INC COMMON 294429105 808 30000 N X 230 30000
EMC CORP-MASS COMMON 268648102 991 10000 N X 230 10000
EL PASO NATURAL GAS CO NEW COMMON 283905107 924 15000 N X 230 15000
EXODUS COMMUNICATIONS INC OTC IS 302088109 1234 25000 N X 230 25000
EXTENSITY INC OTC IS 302255104 349 16600 N X 230 16600
FAMILY DOLLAR STORES INC COMMON 307000109 193 10000 N X 230 10000
FOUNDRY NETWORKS INC OTC IS 35063R100 669 10000 N X 230 10000
FIRSTENERGY CORP COMMON 337932107 269 10000 N X 230 10000
FIRST HEALTH GROUP CORP OTC IS 320960107 1290 40000 N X 230 40000
FREEMARKETS INC OTC IS 356602102 286 5000 N X 230 5000
GENERAL DYNAMICS CORP COMMON 369550108 1884 30000 N X 230 30000
GENERAL ELECTRIC CO COMMON 369604103 1442 25000 N X 230 25000
GENERAL MOTORS CORP - CL H COMMON 370442832 1115 30000 N X 230 30000
GEMSTAR TV GUIDE INTL INC OTC IS 36866W106 872 10000 N X 230 10000
GATX CORP COMMON 361448103 419 10000 N X 230 10000
B F GOODRICH CO COMMON 382388106 1372 35000 N X 230 35000
MISSISSIPPI CHEMICAL CORP COMMON 605288208 360 90000 N X 230 90000
GENCORP INC -W/RTS TO PUR COMMON 368682100 163 20000 N X 230 20000
HARLEY DAVIDSON INC COMMON 412822108 239 5000 N X 230 5000
HARRAHS ENTERTAINMENT INC COMMON 413619107 688 25000 N X 230 25000
HOTJOBS COM INC OTC IS 441474103 1984 116300 N X 230 116300
IASIAWORKS INC OTC IS 45072L101 1527 152700 N X 230 152700
ICOS CORP OTC IS 449295104 812 15000 N X 230 15000
***IMPERIAL OIL LTD NEW COMMON 453038408 1173 45000 N X 230 45000
INTERSIL HLDG CORP OTC IS 46069S109 748 15000 N X 230 15000
***ISPAT INTERNATIONAL NV- COMMON 464899103 200 40000 N X 230 40000
ITT INDS INC IND COMMON 450911102 1135 35000 N X 230 35000
JONES APPAREL GROUP INC COMMON 480074103 265 10000 N X 230 10000
KROGER CO COMMON 501044101 677 30000 N X 230 30000
LYCOS INC OTC IS 550818108 1719 25000 N X 230 25000
LG&E ENERGY CORP COMMON 501917108 611 25000 N X 230 25000
LABORATORY CORP AMER HLDGS COMMON 50540R409 1198 10000 N X 230 10000
L-3 COMMUNICATIONS HLDINGS COMMON 502424104 848 15000 N X 230 15000
LINCARE HOLDINGS INC OTC IS 532791100 559 19500 N X 230 19500
VA LINUX SYSTEMS INC OTC IS 91819B105 694 15000 N X 230 15000
SOUTHWEST AIRLINES CO COMMON 844741108 606 25000 N X 230 25000
MEDIMMUNE INC OTC IS 584699102 1159 15000 N X 230 15000
MESA AIR GROUP INC OTC IS 590479101 547 100000 N X 230 100000
MCGRAW HILL INC COMMON 580645109 953 15000 N X 230 15000
MID ATLANTIC MEDICAL SERVI COMMON 59523C107 227 15000 N X 230 15000
PHILIP MORRIS COMPANIES IN COMMON 718154107 442 15000 N X 230 15000
MOLEX INC OTC IS 608554101 544 10000 N X 230 10000
USX-MARATHON GROUP COMMON 902905827 426 15000 N X 230 15000
MGIC INVESTMENT CORP-WIS COMMON 552848103 611 10000 N X 230 10000
METAL MANAGEMENT INC OTC IS 591097100 63 225000 N X 230 225000
MICRON TECHNOLOGY INC COMMON 595112103 690 15000 N X 230 15000
MAVERICK TUBE CORP COMMON 577914104 673 25000 N X 230 25000
MAXIM INTEGRATED PRODUCTS OTC IS 57772K101 1207 15000 N X 230 15000
***NORSK HYDRO A/S COMMON 656531605 1227 29000 N X 230 29000
NORTHWEST AIRLINES CORP-CL OTC IS 667280101 614 25000 N X 230 25000
OLD KENT FINL CORP COMMON 679833103 289 10000 N X 230 10000
ONI SYSTEMS CORP OTC IS 68273F103 432 5000 N X 230 5000
ORACLE SYSTEMS CORP OTC IS 68389X105 394 5000 N X 230 5000
OXFORD HEALTH PLANS INC OTC IS 691471106 1076 35000 N X 230 35000
OCCIDENTAL PETE CORP-DEL COMMON 674599105 218 10000 N X 230 10000
***ASIA PULP & PAPER CO LT COMMON 04516V100 201 115000 N X 230 115000
***PLACER DOME INC COMMON 725906101 236 25000 N X 230 25000
PACIFICARE HEALTH SYSTEMS OTC IS 695112102 832 23900 N X 230 23900
PARKER DRILLING CO COMMON 701081101 140 20000 N X 230 20000
PROTECTIVE LIFE CORP COMMON 743674103 896 30000 N X 230 30000
PRESSTEK INC OTC IS 741113104 384 20000 N X 230 20000
POWERWAVE TECHNOLOGIES INC OTC IS 739363109 380 10000 N X 230 10000
QUANTA SERVICES INC COMMON 74762E102 963 35000 N X 230 35000
RADIOSHACK CORP COMMON 750438103 646 10000 N X 230 10000
SAFECO CORP OTC IS 786429100 463 17000 N X 230 17000
SANMINA CORP OTC IS 800907107 468 5000 N X 230 5000
SCHNITZER STEEL INDUSTRIES OTC IS 806882106 1117 78400 N X 230 78400
***STOLT COMEX SEAWAY SA OTC IS L8873E103 744 50000 N X 230 50000
SIERRA PACIFIC RESOURCES COMMON 826428104 360 20000 N X 230 20000
SMURFIT-STONE CONTAINER CO OTC IS 832727101 283 23600 N X 230 23600
SUN MICROSYSTEMS INC OTC IS 866810104 1751 15000 N X 230 15000
TRIGON HEALTHCARE INC COMMON 89618L100 694 13200 N X 230 13200
TEKELEC INC OTC IS 879101103 230 7000 N X 230 7000
***TALISMAN ENERGY INC OTC IS 87425E103 526 15000 N X 230 15000
TORCHMARK CORP COMMON 891027104 695 25000 N X 230 25000
TMP WORLDWIDE INC OTC IS 872941109 1208 15000 N X 230 15000
TOSCO CORP NEW COMMON 891490302 312 10000 N X 230 10000
TOTAL RENAL CARE HOLDINGS COMMON 89151A107 375 50000 N X 230 50000
TYCO INTERNATIONAL LTD NEW COMMON 902124106 259 5000 N X 230 5000
U S AIR GROUP INC COMMON 911905107 1065 35000 N X 230 35000
ULTRAMAR DIAMOND SHAMROCK COMMON 904000106 888 35000 N X 230 35000
VISHAY INTERTECHNOLOGY INC COMMON 928298108 461 15000 N X 230 15000
WEBEX COMMUNICATIONS INC OTC IS 94767L109 553 15000 N X 230 15000
WENDYS INTL INC COMMON 950590109 1204 60000 N X 230 60000
WHOLE FOODS MARKET INC OTC IS 966837106 537 10000 N X 230 10000
WILLIAMS COMPANIES INC COMMON 969457100 423 10000 N X 230 10000
WASTE MANAGEMENT INC COMMON 94106L109 610 35000 N X 230 35000
WILLIAMS SONOMA INC COMMON 969904101 521 15000 N X 230 15000
VENATOR GROUP COMMON 922944103 186 15000 N X 230 15000
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